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Departmental Reports

Supply Estimates


Main Estimates 2001-2002 Correction Slips:
and Winter Supplementary Estimate 2001-2002

Presented to Parliament by the Lord Chancellor by
Command of Her Majesty the Queen

November 2001


Cm 5337


Contents

The Lord Chancellor's Department Main Estimate for 2001-02 is used to "vote" for resources. It sets out the resource requirements for each area of the Department, and features a reconciliation section to show how the departmental cash requirement is derived from the resource figures. The full documentation, which follows this passage, is comprised of several different elements:



Lord Chancellor's Department Main Estimate 2001-02 (Correction Slip):
  Table 23a Introductory Notepdf [36kb]
  Table 23b Part I Estimatepdf [64kb]
  Table 23c Part II Estimate (including reconciliation of resource to cash)pdf [82kb]
  Table 23d Part III Estimatepdf [64kb]
  Table 23e Forecast Operating Cost Statementpdf [65kb]
  Table 23f Forecast Cashflow Statementpdf [68kb]
  Table 23g Forecast Reconciliation of Net Operating Cost to Net Resource Outturn and Resource Budget Outturnpdf [88kb]
  Table 23h Appropriations in Aid Notepdf [58kb]
  Table 23i Consolidated Fund Extra Receipts (CFER) Notepdf [72kb]
  Table 23j Notes to the 2001-02 Estimatepdf [57kb]
Lord Chancellor's Department Winter Supplementary Estimate 2001-02
  Table 24a Introductory Notepdf [87kb]
  Table 24b Part I Estimatepdf [79kb]
  Table 24c Part II Estimate (Changes)pdf [74kb]
  Table 24d Part II Estimate (Revised Detail)pdf [79kb]
  Table 24e Part III Estimatepdf [56kb]
  Table 24f Forecast Operating Cost Statementpdf [61kb]
  Table 24g Forecast Cashflow Statementpdf [64kb]
  Table 24h Forecast Reconciliation of Net Operating Cost to Net Resource Outturn and Resource Budget Outturnpdf [74kb]
  Table 24i Explanation of Accounting Officer Responsibilitiespdf [81kb]
  Table 24j Analysis of Appropriations in Aidpdf [86kb]
  Table 24k Analysis of Extra Receipts Payable to the Consolidated Fundpdf [89kb]
  Table 24l Notes to the 2001-02 Estimatepdf [68kb]
  Table 24m Symbolspdf [71kb]
Northern Ireland Court Service Main Estimate 2001-02 (Correction Slip):
  Table 1a Introductory Notepdf [73kb]
  Table 1b Part I Estimatepdf [68kb]
  Table 1c Part II Estimate (including reconciliation of resource to cash)pdf [83kb]
  Table 1d Part III Estimatepdf [85kb]
  Table 1e Forecast Operating Cost Statementpdf [85kb]
  Table 1f Forecast Cashflow Statementpdf [69kb]
  Table 1g Forecast Reconciliation of Net Operating Cost to Net Resource Outturn and Resource Budget Outturnpdf [68kb]
  Table 1h Appropriations in Aid Notepdf [69kb]
  Table 1i Consolidated Fund Extra Receipts (CFER) Notepdf [69kb]
  Table 1j Notes to the 2001-02 Estimatepdf [70kb]
  Table 1k Explanation of Accounting Officer Responsibilitiespdf [70kb]


 

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